Climate Risks and Impact
Bring Clarity to Climate Exposure, Risk, and Alignment

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Key Value Drivers of the Scientific Portfolio Platform
Know your exposure to transition risk factor and your allocation to brown stocks, two complementary measures of climate risk.
Quantify portfolio losses from the climate transition with scenario analysis. Anticipate risks, stress-test assumptions, and build resilience with insights.
Measure the carbon emissions your portfolio is accountable for and attribute the differences between your portfolio and its benchmark with confidence.
Assess the alignment of your portfolio with climate objectives through scenario analysis considering emissions trajectories and green revenues.
From Framework to Function: Inside the Platform’s Core Features
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Getting Started With the Scientific Portfolio Platform

Turning Academic Rigor Into Measurable Portfolio Insights

Summary of Functionalities

Investment Philosophy
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a transparent, multi-dimensional framework that captures both top-down and security-level sensitivities, along with scenario-based quantification of extreme losses. This enables decision-makers to act with clarity and confidence, without relying on black-box metrics
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Our solution bridges this gap, enabling investors to assess alignment while respecting the practical boundaries of portfolio management.
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Why Teams Choose Scientific Portfolio?
Credible Attribution, Innovative Simulation, Grounded in Research
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